Jean-Claude B.
Reymond

Head of Regulatory & Risk

Jean-Claude B. Reymond

…studied law at the University of Basel. After working for various courts, law enforcement bodies, administrative authorities and banks, he worked for 18 years for the Swiss Federal Banking Commission (SFBC) and the Swiss Financial Market Supervisory Authority FINMA as a legal expert in the licensing department for banks and securities dealers. For several years, he headed the licencing team for German-speaking Switzerland. He was also a member of various expert teams drafting and revising bills and circulars.

Jean-Claude B. Reymond is a graduate of the Executive Program of the sfi Swiss Finance Institute (formerly: Swiss Banking School), the Management & Governance Course of the Bank of England, London, the Program on Securities Enforcement and Market Oversight of the SEC U.S. Securities and Exchange Commission, Washington D.C. as well as numerous further education courses in the financial sector.

Jean-Claude B. Reymond has considerable experience across all areas of the finance industry and is most of all an expert for FINMA-applications to establish banks, securities dealers and asset managers.

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